Microeconomic risk management and macroeconomic stability /

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Bibliographic Details
Author / Creator:Röthig, Andreas.
Imprint:Dordrecht ; New York : Springer, c2009.
Description:1 online resource (xv, 144 p.) : ill.
Language:English
Series:Lecture notes in economics and mathematical systems, 0075-8442 ; 625
Lecture notes in economics and mathematical systems ; 625.
Subject:
Format: E-Resource Book
URL for this record:http://pi.lib.uchicago.edu/1001/cat/bib/8890437
Hidden Bibliographic Details
ISBN:9783642015656
3642015654
9783642015649
3642015646
Notes:Includes bibliographical references (p. 133-144).
Description based on print version record.
Summary:Deals with the impact of diverse hedging policies on macroeconomic stability. This book addresses this issue by employing theoretical as well as empirical methods.
Other form:Print version: Röthig, Andreas. Microeconomic risk management and macroeconomic stability. Dordrecht ; New York : Springer, c2009 9783642015649 3642015646

MARC

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504 |a Includes bibliographical references (p. 133-144). 
505 0 |a Microeconomic Risk Management and Macroeconomic Stability; Part I Preliminary Explorations; 1 Introduction; Part II A Micro View: Optimal Risk Management; 2 Backwardation and Optimal Hedging Demand in an Expected Utility Hedging Model; 3 Mean-Variance Versus Minimum-Variance Hedging; Part III A Macro View: Economic Stability; 4 Corporate Risk Management in Balance-Sheet Triggered Currency Crises; 5 Arbitrage Pressure, Positive Feedback Speculation, Selective Hedging, and Economic Stability: An Empirical Analysis and Catastrophe Modelling; 6 Conclusions. 
520 |a Deals with the impact of diverse hedging policies on macroeconomic stability. This book addresses this issue by employing theoretical as well as empirical methods. 
588 |a Description based on print version record. 
650 0 |a Risk management  |x Econometric models. 
650 0 |a Hedging (Finance)  |x Econometric models. 
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